BAJFINANCE
Reasons being:
1. Expected Parallel channel Breakout in Daily chart
2. Breakout in OBV
3. More than Daily Normal Volume
Long Bajaj Finance for a target of 2200 and 2350 in 2 to 3 Weeks
Reasons being:
1. Expected Parallel channel Breakout in Daily chart
2. Breakout in OBV
3. More than Daily Normal Volume
Long Bajaj Finance for a target of 2200 and 2350 in 2 to 3 Weeks
Trade active:
First Target of 2200 Hit waiting for another one
Trade closed: target reached